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Daneshyari Finance Journas Latest Articles

Finance Research Articles

Emerging markets finance: Issues of international capital flows - Overview of the special issue
Fulltext Access 16 Pages 2016
Output spillovers from changes in sovereign credit ratings
Fulltext Access 16 Pages 2016
Capital controls or macroprudential regulation?
Fulltext Access 16 Pages 2016
Political economy of debt and growth
Fulltext Access 16 Pages 2016
Rational inattention, multi-product firms and the neutrality of money
Fulltext Access 16 Pages 2016
Income redistribution in open economies
Fulltext Access 16 Pages 2016
Investigating temporal variation in the global and regional integration of African stock markets
Fulltext Access 16 Pages 2016
Labor market polarization and international macroeconomic dynamics
Fulltext Access 16 Pages 2016
Language, news and volatility
Fulltext Access 16 Pages 2016
Quasi-monetary and quasi-fiscal policy rules at the zero-lower bound
Fulltext Access 16 Pages 2016
Job displacement risk and severance pay
Fulltext Access 16 Pages 2016
Importing, exporting, and firm-level employment volatility
Fulltext Access 16 Pages 2016
CEO political preference and corporate tax sheltering
Fulltext Access 17 Pages 2016
Why do traders choose dark markets?
Fulltext Access 17 Pages 2016
Evasive shareholder meetings
Fulltext Access 17 Pages 2016
Do investors learn from the past? Evidence from follow-on equity issues
Fulltext Access 17 Pages 2016
Market timing of seasoned equity offerings with long regulative process
Fulltext Access 17 Pages 2016
Structural analysis with Multivariate Autoregressive Index models
Fulltext Access 17 Pages 2016
Vector autoregressive moving average identification for macroeconomic modeling: A new methodology
Fulltext Access 17 Pages 2016
Dynamic treatment effects
Fulltext Access 17 Pages 2016
The role of bank relationships when firms are financially distressed
Fulltext Access 17 Pages 2016
Assessing the information content of short-selling metrics using daily disclosures
Fulltext Access 17 Pages 2016
An index-based measure of liquidity
Fulltext Access 17 Pages 2016
The impact of news articles and corporate disclosure on credit risk valuation
Fulltext Access 17 Pages 2016
What should I be when I grow up? Occupations and unemployment over the life cycle
Fulltext Access 17 Pages 2016
Does director-level reputation matter? Evidence from bank loan contracting
Fulltext Access 17 Pages 2016
Customer concentration and corporate tax avoidance
Fulltext Access 17 Pages 2016
The predictive performance of commodity futures risk factors
Fulltext Access 17 Pages 2016
Credit derivatives as a commitment device: Evidence from the cost of corporate debt
Fulltext Access 17 Pages 2016
Short selling, margin trading, and the incorporation of new information into prices
Fulltext Access 17 Pages 2016
An examination of the relationship between the extent of a flexible culture and the levers of control system: The key role of beliefs control
Fulltext Access 17 Pages 2016
Cultural Differences and Institutional Integration
Fulltext Access 17 Pages 2016
Order aggressiveness of different broker-types in response to monetary policy news
Fulltext Access 17 Pages 2016
Fiscal sentiment and the weak recovery from the Great Recession: A quantitative exploration
Fulltext Access 17 Pages 2016
Sovereign wealth funds targets selection: A comparison with pension funds
Fulltext Access 17 Pages 2016
Specialization across goods and export quality
Fulltext Access 17 Pages 2016
Should cross-border banking benefit from the financial safety net?
Fulltext Access 17 Pages 2016
Are idiosyncratic volatility and MAX priced in the Canadian market?
Fulltext Access 17 Pages 2016
How do managerial incentives affect the maturity structure of corporate public debt?
Fulltext Access 17 Pages 2016
Bayesian treatment effects models with variable selection for panel outcomes with an application to earnings effects of maternity leave
Fulltext Access 17 Pages 2016
Institutional difference, organizational experience, and foreign affiliate performance: Evidence from Polish firms
Fulltext Access 17 Pages 2016
Participatory budgeting in a Sri Lankan urban council: A practice of power and domination
Fulltext Access 17 Pages 2016
Static and dynamic underinvestment: An experimental investigation
Fulltext Access 17 Pages 2016
On variance bounds for asset price changes
Fulltext Access 17 Pages 2016
Optimal reputation building in the New Keynesian model
Fulltext Access 17 Pages 2016
Why are some banks recapitalized and others taken over?
Fulltext Access 17 Pages 2016
Series estimation under cross-sectional dependence
Fulltext Access 17 Pages 2016
Remittances and relative concerns in rural China
Fulltext Access 17 Pages 2016
Credit risk and governance: Evidence from credit default swap spreads
Fulltext Access 17 Pages 2016
Do managers learn from the market? Firm level evidence in merger investment
Fulltext Access 17 Pages 2016
Inflation targeting in developing countries revisited
Fulltext Access 17 Pages 2016
Bequest motive and incentive to retire: Consumption, investment, retirement, and life insurance strategies
Fulltext Access 17 Pages 2016
Tracing the impact of large minimum wage changes on household welfare in Indonesia
Fulltext Access 17 Pages 2016
Growth econometrics for agnostics and true believers
Fulltext Access 17 Pages 2016
Collusion and biased tournaments
Fulltext Access 17 Pages 2016
Did China tire safeguard save U.S. workers?
Fulltext Access 17 Pages 2016
Land collateral and labor market dynamics in France
Fulltext Access 17 Pages 2016
Search costs and efficiency: Do unemployed workers search enough?
Fulltext Access 17 Pages 2016
Household bargaining and the design of couples' income taxation
Fulltext Access 17 Pages 2016
Judicial error and cooperation
Fulltext Access 17 Pages 2016
Panel multi-predictor test procedures with an application to emerging market sovereign risk
Fulltext Access 17 Pages 2016
Investor response to online value line rank changes: Foreign versus local stocks
Fulltext Access 17 Pages 2016
The impact of exchange rate movements on multi-product firms' export performance: Evidence from China
Fulltext Access 17 Pages 2016
Language and consumption
Fulltext Access 17 Pages 2016
Dynamic relationship between China's inward and outward foreign direct investments
Fulltext Access 17 Pages 2016
Profitability of return and sentiment-based investment strategies in US futures markets
Fulltext Access 17 Pages 2016
Global financial crisis and emerging stock market contagion: A volatility impulse response function approach
Fulltext Access 17 Pages 2016
Does it help firms to secretly pay for stock promoters?
Fulltext Access 17 Pages 2016
Do investor sentiment, weather and catastrophe effects improve hedging performance? Evidence from the Taiwan options market
Fulltext Access 17 Pages 2016
The revision frequency of earnings forecasts and firm characteristics
Fulltext Access 17 Pages 2016
Determinants of the onshore and offshore Chinese government yield curves
Fulltext Access 17 Pages 2016
Optimal redistribution and monitoring of labor supply *
Fulltext Access 17 Pages 2016
Credit market frictions and political failure
Fulltext Access 17 Pages 2016
Managerial investment in mutual funds: Determinants and performance implications
Fulltext Access 17 Pages 2016
Foreign banks and credit in Mexico
Fulltext Access 17 Pages 2016
Trade liberalization, labor market regulations and labor demand in Cameroon
Fulltext Access 17 Pages 2016
Global environmental standards with heterogeneous polluters
Fulltext Access 17 Pages 2016
Trade duration, informed trading, and option moneyness
Fulltext Access 17 Pages 2016
Option-implied probability distributions: How reliable? How jagged?*
Fulltext Access 17 Pages 2016
Technology, trade and 'urban poor' in a general equilibrium model with segmented domestic factor markets
Fulltext Access 17 Pages 2016
Macroeconomic factors and the cross-section of commodity futures returns
Fulltext Access 17 Pages 2016
Do stock returns provide a good hedge against inflation? An empirical assessment using Turkish data during periods of structural change
Fulltext Access 17 Pages 2016
Determinacy and learnability of equilibrium in a small-open economy with sticky wages and prices
Fulltext Access 17 Pages 2016
Does “small bank advantage” really exist? Evidence from China
Fulltext Access 17 Pages 2016
Money and output causality: A structural approach
Fulltext Access 17 Pages 2016
Do economic variables improve bond return volatility forecasts?
Fulltext Access 17 Pages 2016
The curious case of converts
Fulltext Access 17 Pages 2016
Fund managers' herding and the sensitivity of fund flows to past performance
Fulltext Access 17 Pages 2016
Measuring the value of intangibles
Fulltext Access 18 Pages 2016
Product market effects of real estate collateral
Fulltext Access 18 Pages 2016
Too-international-to-fail? Supranational bank resolution and market discipline
Fulltext Access 18 Pages 2016
Financial distress and the Malaysian dual baking system: A dynamic slacks approach
Fulltext Access 18 Pages 2016
Evaluating the robustness of UK term structure decompositions using linear regression methods
Fulltext Access 18 Pages 2016
CEO overconfidence and corporate debt maturity
Fulltext Access 18 Pages 2016
The cost of financial flexibility: Evidence from share repurchases
Fulltext Access 18 Pages 2016
The information role of advisors in mergers and acquisitions: Evidence from acquirers hiring targets' ex-advisors
Fulltext Access 18 Pages 2016
Does risk explain persistence in private equity performance?
Fulltext Access 18 Pages 2016
Commodities momentum: A behavioral perspective
Fulltext Access 18 Pages 2016
Valuation uncertainty, market sentiment and the informativeness of institutional trades
Fulltext Access 18 Pages 2016
Debtor-in-possession financing, loan-to-loan, and loan-to-own
Fulltext Access 18 Pages 2016
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